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  • 09.03.2022

    Pourquoi et comment investir dans les marchés privés ?

    Des taux d'intérêt historiquement bas et des valorisations boursières élevées ont déclenché des flux d'investissement sans précédent en direction des marchés privés.

  • 08.03.2022

    Les défis d’une acquisition à l’heure de la consolidation bancaire

    Le Temps (07.03.2022) - La place financière suisse compte chaque année un peu moins de banques privées et, avec la vague de fusions-acquisitions de 2021, leur nombre est passé sous le seuil symbolique de la centaine.

  • 07.03.2022

    Ghosts of the 1970s

    Nearly 50 years ago, a long simmering conflict reignited with the Fourth Arab-Israeli War culminating in a global energy shock and kicking off the 1970s stagflationary era.

  • 03.03.2022

    UBP and Blue Earth Capital seal strategic partnership and hold a successful first closing for Climate Growth Strategy

    BlueEarth’s Climate Growth Strategy aims to support growth companies which address global environmental challenges in areas such as energy transition, electrification, industrial process optimisation and the circular economy.

  • 25.02.2022

    Russia–Ukraine tensions and rising commodity prices

    In the wake of rising geopolitical tensions surrounding the conflict between Russia and Ukraine, UBP’s Senior Economist Asia, Carlos Casanova, shares his thoughts about the impact on Asian and global financial markets.

  • 23.02.2022

    Asian tech: coming of age

    For much of the past decade, Asia technology investors were enthralled with China’s consumer-facing tech companies due to their strong and visible growth.

  • 16.02.2022

    China: Additional policy support to spur activity after Winter Olympics

    The macroeconomic backdrop will remain challenging in Q1-22. However, we will likely see an inflexion point following the much-anticipated policy pivot. GDP growth to accelerate from 3.0% y/y in Q1-22 to 5.0% on average in 2022.

  • 14.02.2022

    Time to look at floating-rate notes

    In this interview Mohammed Kazmi sets out to Bernard McGrath his case for investing in floating-rate notes as a way to reduce portfolio exposure to interest rates and gain from widely expected Fed rate hikes in the months ahead.

  • 14.02.2022

    Energy transition: a complex but compelling challenge

    The energy transition will require major investment and concerted political will to deliver on net-zero targets.

  • 10.02.2022

    Financials: rising rates & digital opportunities

    The Fed has clearly signalled that the next rate hike cycle is ahead, and bank stocks have started strong in 2022 supported by US 10-year rates, which are up by more than 20bps to 1.74%. 

  • 02.02.2022

    Family-owned businesses: Skin in the game

    Family-owned companies have outperformed the indices over the long term thanks to their unwavering focus on long-term value creation.

  • 01.02.2022

    What follows one of the worst Januarys in history?

    The S&P 500 is on track for one of its worst January performances looking as far back as 1929. With only ten other years of a January fall of > 5%, similarities and differences can help us to understand what might lie ahead for investors over the balance of the year.

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